Staff accountant
New YorkMichael Page
...bank reconciliations across multiple accounts. Generate and reconcile daily income journals from PMS and POS systems. Prepare reports for complimentary Food & Beverage items. Review event checks against Banquet Event Orders (BEOs). Prepare bank deposits and manage bank and hotel change requests. Track and process "Due [...]
Category Banking, Insurance, Finance & Accountancy / Sector Accounting, Finance and Management Control